Edouard Vidon
Director of Financial Stability
Current Position
Director of Financial Stability
Previous Positions
International Monetary Fund (2009-2015)
Diplomas
PhD in Economics, Georgetown University (2003)
Diplôme, Institut d'Etudes Politiques de Paris (1992)
Research Interest
Macroeconomics, international finance, heterogeneous agents models, game theory
Contact
- edouard.vidon@banque-france.fr
- Banque de France, DSF S1C-1537, 75049 Paris Cedex 01
Academic publications
Articles
- "Bad Banks’ with Chinese Characteristics: an Ongoing Transformation" (2022), avec Irena Pereša, Journal of Contemporary China, Vol. 31:133, 136-152.
- "European NPLs through the crisis: a policy review" (2017), with N. Jassaud, Journal of Financial Regulation and Compliance, Vol. 25 No. 4
- "Global Liquidity - Issues for Surveillance" (2014), avec V. Haksar et co-auteurs - IMF Policy Paper
- "Spain’s External Sustainability (2011), in Spain: Selected Issues" – IMF Country Report No. 11/216
- "Cross-Cutting Themes in Employment Experiences during the Crisis" (2010), avec A. Vamvakidis et co-auteurs IMF Staff Position Note No. 2010/18, November 2010
- "Liquidity, Moral Hazard, and Inter-Bank Market Collapse" (2009), avec E. Kharroubi, International Journal of Central Banking
- "Precautionary Wealth Accumulation: A Positive Third Derivative Is Not Enough" (2002), avec M. Huggett, Economics Letters, 76, 323- 329.